Issue in Posting Vendor down payment

Hi
I have an issue in which I am posting a debit to vendor account with a special GL. How can i get to display the Profit center field while posting the vendor account part of the entry.
Regards
Sanil Bhandari

Hi
I have checked the same and it is still not displayed. Suppose i make a vendor downpayment, so on the first screen when i am making entry for vendor account with special GL indicator, i would like to have a filed for profit center. How can i get the same.
REgards
RS

Similar Messages

  • F-48 (post vendor down payment:header data)

    Hi Experts,
    Good Evening to you,
    when i was posting F-48 (post vendor down payment:header data) i was getting an error of No Special G/L acct defined for acct type K sp. G/L ind B recon.acct so at that time i went to OBYR and given in Acct type-K SGL Ind-B in that given Recon account and Special GL Account both the numbers but still the erroring is coming. Later i went to FS00 and checked in Control Data that the GL Account the reconciliation account-vendor is already given but still the error is coming.
    So if anybody faced the same error means let me know.
    Awaiting for your golden replies & points will be assign for useful answers.
    Thanks & Best Regards,
    KK

    Hi Rams,
    The problem of "No Special G/L acct defined for acct type K ....." has been rectified when i specify the Special GL A/c in OBYR.
    Now the issue is i gave a wrong Sp GL account in OBYR and posted a document later i recongnise that i gave wrong SP GL and went back to OBYR and gave the correct SP GL A/c number. So there was a posting has done earlier 1 document so can you tellme how to change from Old Sp GL  to New Sp GL.
    Awaiting for your golden reply.
    thanks & best regards,
    KK.

  • FM actuals using F-48 (Post Vendor down payment)

    Dear sirs,
    I would like to know if it is possible to turn a COMMITMENT posting in FM into ACTUALS, by using transaction F-48 (Post Vendor Down Payment).
    Thanks a lot,
    Artur Campos

    Hi KK,
    The long text of the error gives indication on how to define the missing
    customizing:
    Short Text
    No special G/L acct defined for acct type K sp.G/L ind. A recon.acct
    212000
    Message no. F5 008
    Diagnosis
    You want to post via a special G/L indicator which was not maintained
    completely in the system. The specification on which reconciliation
    account is to be updated in the general ledger is missing.
    System Response
    The line item cannot be entered.
    Procedure
    In system configuration enter a special G/L account corresponding to
    reconciliation account for account type  and special G/L indicator.
    Please check your setting are correct and complete via transaction
    fbkp-> special g/l-> here make a new entry for
    -account type K
    -special g/l indicator you require
    -releavnt chart of accounts
    -g/l account
    I hope this clarifies.
    Regards,
    Abhisek

  • Error in Posting Vendor down Payment request

    Hi
    I am getting an error in posting vendor downpayment request. I am using the T Code F-47 and special GL indicator F.
    Error: Special GL Indicator F is not defined for down payments
    Message No F5053
    Diagnosis: The specified GL Indicator is not classified as "Down payment" or not listed in the list of the target special GL indicators "F"
    System Response: The entry is not accepted
    Procedure: Enter an allowed special GL indicator or indicate a change of the default settings
    I have checked the settings in FBKP. The GL Accounts and properties have been maintained there. The target GL Indicator A is also maintained in the properties. In OBXT also the GL Indicator has been defined. What could be the error?
    Regards
    Rahul Sharma

    Hi,
    What ever the special gl you are created or assigned to K in OBXT are will not allow to post down payment. in FB60 by using these special gl indicators we can post invoice.
    Go to OBXR and assign F is for down payment request if it is not there. before assign in OBYR delete the assignment in OBXT. Defaulty the F is used for down payment requests only.
    Hope this is clear, if yes assign points, any problem revert me
    Regards,
    Sankar

  • Re:Post vendor down payment

    Hi Experts,
    There was a problem for me in F-48 "No Special G/L acct defined for acct type K ....." has been rectified when i specify the Special GL A/c in OBYR.
    Now the issue is i gave a wrong Sp GL account in OBYR and posted a document later i recognise that i gave wrong SP GL and went back to OBYR and gave the correct SP GL A/c number. So there was a posting has done earlier 1 document so anybody you tellme how to change from Old Sp GL to New Sp GL that document or how to reverse this docuement or what ever..
    Awaiting for your golden reply & Points will be assign for the useful answers.
    thanks & best regards,
    KK.

    Hi,
    U have to reverse the earlier posted Document with t-code FB08. And post the new Document with correct GL account .
    Regards,
    Sreekanth

  • Vendor down payment clearing without VAT posting.

    Hello SAP Gurus,
    I have following issue:
    Currently our Vendor down payments produce VAT postings when clearing with final invoice, which is correct.
    But we have some old vendor down payments which does not include VAT and needs to be cleared without any impact to VAT postings.
    User is using F-44 transaction and can not define any tax code for postings, system calculates it automatically.
    It is not possible to make VAT posting happen and then make reversal postings fot VAT accounts as well.I tried to check flag 'Posting without tax allowed' and uncheck 'Post automatically only' in account master data. And then make manual posting using that account via FB01 but system still requires tax code to be entered because Tax category in account master data is set to '<' I'nput Tax Account'. It is impossible to change Tax category let's say to ' * ' because account have balances on it.
    Could anyone advice how can I clear these downpayments without VAT posting?
    Thank you,

    I have tried to enter 0% input tax code, but still I'm not able to post document because of error msg:
    Tax entry not possible in this item
    Message no. FF724
    Diagnosis
    You can not enter a tax amount in this item since, due to the posting amount entered and the tax code, a total tax amount of zero has been calculated.
    This could either be due to the fact that the tax code has been defined with a value of 0%, or because the posting amount entered (that is, the tax base) is too small.
    Example:
    With a tax rate of 15%, a tax amount greater than zero will only be achieved with a base amount greater than 0.04. With values of 0.03 and less, it is therefore not possible to enter a tax amount.
    Procedure
    Only enter tax amounts in conjunction with tax codes for which a percentage rate not equal to zero has been defined. Make sure that in documents with several G/L account items you enter the total tax amount in an item with a sufficiently high posting amount.

  • FS206 error message for vendor down payments

    Hi All,
    I m getting following error message while posting vendor down payment using F-48,
    Down pmnts with taxes are not permitted when processing with jur.code
    Message no. FS206
    Diagnosis
    Taxes may not be entered for down payments with the jurisdiction code taxation procedure.
    Procedure
    Change the master record of the reconciliation account for down payments. It may not be tax-relevant (leave tax category blank).
    I made the tax category in GL master data as blank. However it is still asking for a tax code.
    Kindly let me know if anyone has faced a similar issue earlier.
    Thanks in advance!
    Best Regards,
    Aman Goel

    Hi,
    Change the "Alternative Reconciliation Account" master data (in FS00) for down payment assigned to your vendor reconciliation account.
    Leave the tax field blank and do not check mark posting without tax allowed.
    Regards,
    SDNer

  • Error in Vendor Down payment F-48

    Hello,
    I got an error message during posting Vendor down payment in F-48:
    " Balancing field "Profit Center" in line item 003 not filled. The field Profit Center marked as balancing is not filled with any value in line item 003, even after document splitting. "
    I'm using vendor down payment using VAT code.
    I think it's related to document splitting customizing.
    Can someone help me on this ?
    Thanks in advance
    Tarek

    Hi
    The Concept of Document Splitting is that you must use same Profit Center in all the line items of an Document.
    Not only in Down Payments , in Invoices also or in any document entry.
    i will give you 1 example, suppose an Invoice is there,
    31 Vendor 10000
    40 expense g/l a/c 5000 x1(x1 iscost center , profit center in x1 is x)
    40 expense g/l a/c 2000 x2(x2 is cost center , profit center in x2 is x)
    40 expense g/l a/c 3000 x3(x3 is cost center , profit center in x3 is x)
    If you give different cost centers , but they are also having different profit centers , then the total amount should be written on which profit center? this is logic , which profit center it will pick?
    Regards
    venkat

  • Vendor Down Payments

    hi,
    can anyone pls let me know the steps to configure down payments, the steps in configuration. and the clearing process.
    thanks in advance.

    Post Vendor Down Payment
    1.     Double click on F-48 - Down payment
    Post Vendor Down Payment: Header Data
    2.     Update the following required and optional fields:
    Field Name     Description     Values
    Document date     Date the transaction occurred     Example:  10/01/08
    Type                     Document type     Example:  KZ
    Company code     
    Posting date     Date that the business transaction occurred       Example:  10/01/08
    Currency/rate     Code identifying the currency used in the transaction     Example:  USD
    Reference     Description of the Reference.     
    Account                     Vendor account     Example:  100005
    Special G/L ind     Enter here required special GL transaction code     Example:  A
    Account                     Bank account number      Example:  114000
    Amount                     Amount of the line item      Example:  20000
    3.     You can use an existing down payment request to post the down payment. Click Requests Button  .
    Post Vendor Down Payment: Choose requests
    4.     Click down payment request radio button  .
    5.     Click Create down payments button  . The system will display a document overview:
    Post Vendor Down Payment: Display Overview
    6.     Click Save Button.  to post the down payment.
    Double click on F-54 - Down Payment Clearing
    Clear Vendor Down Payment: Header Data
    Clear Vendor Down Payment
    Update the following required and optional fields:
    Field Name     Description     Values
    Document date     Date the transaction occurred     Example:  030702
    Type                     Type of accounting document     Example:  KA
    Company code     
    Posting date     Date that the business transaction occurred     Example:  030702
    Currency/rate     Code identifying the currency used in the transaction     Example:  USD
    *Reference     *                Additional document description     Example:  ref
    Account                     Code identifying the Vendor account      Example:  400000
    Invoice                     Enter here an invoice number you want clear a down payment with     Fiscal year     
    3.     Click Process down pmnts Button   to process down payments.
    Clear Vendor Down Payment: Choose down payments
    4.     The system has displayed a list of outstanding down payments. Click on the checkbox  to mark the down payments you want to process.
    5.     Click Enter Button   to confirm your entries.  The system will enter an amount of (2000,- USD) in the field u201CTransfer postingu201D.
    6.     Click Save Button   to post a clearing document. The system will display a document overview:
    Clear Vendor Down Payment: Display Overview
    7.     Clear Vendor Down Payment: Correct Vendor item
    8.     Update the following required and optional fields:
    Field Name     
    Text     
    9.     Click Save Button. . 
    Clear Vendor Down Payment: Display Overview
    10.     The message bar displays u201CDocument __________  was posted in company code 0100u201D
         This transaction clears only down payment posting and stores information in the system which amount of the invoice was cleared. You still need to clear the document that was posted as a result of clearing with the outstanding invoice.
    11.     Display vendor open items (FBL1N). As you can see, the newly posted clearing document  is still outstanding and you need to clear it with the invoice using the account clearing process (Transaction f-44).

  • Vendor Down Payment issue

    Dear Expert
                While doing F-48 Vendor Down Payment am getting below Error
    Customer 450822 is not defined in company code 1000
    Message no. F5102
    Diagnosis
    No master record was created in company code "1000" for customer number "450822".
    System Response
    System error.
    Procedure
    Maintain the customer master record "450822" in company code "1000" or correct the account number.
    Regards
    Ajeesh.s

    Hi ,
    Instead of typed Vendor number can you please do F4 and then look for vendor in Comapny code 1000 . I know its sound bit  strange but I would like to check this  .
    Can you Please check in OBYR for Special GL indictor A and check the reconciliation account for your Chart of account . It may be posible that you have assigned customer reconciliation instead of vendor

  • Vendor Down Payment Invoice

    Hi All,
    A company receives an invoice that includes VAT for down payment made.
    This invoice is then cleared with partial or final invoice.
    Could anyone adevice me about this business case?
    Thanks

    Hi Deepak,
    my issue is like this:
    - I receive the Vendor down payment invoice: u20AC 12000,00 with VAT. I post it by F-48 in the follow way:
    Posting Key 34; Vendor Code; u20AC 12000,00
    Posting Key 29; Vendor Code; special G/L Indicator (A); u20AC 10000,00
    Posting Key 40; VAT G.L.; u20AC 2000,00
    - I receive the Vendor FINAL invoice that I should post by MIRO and  which the VAT isn't posted.
    I wonder how to obtain by miro the follow posting:
    Posting Key 39; Vendor Code; Special G/L Indicator (A); u20AC 10000,00
    Posting Key 40; G.L.account; u20AC 2000,00; u20AC 10000,00
    Thanks

  • Vendor Down Payment Clearing: F-54 or F-44

    Hi
    I have made a down payment (with Spl. GL indicator) to a vendor, using F-48. Then I book an invoice using FB60. I kept the two amounts same and ignored WT to keep things simple.
    Now i want to clear the down payment against the invoice. I use F-54. The clearing transaction is getting posted. However, the Invoice is lying open (credit entry) along with the Clearing document (debit entry). On the other hand the down payment document (debit) is getting cleared with the Clearing document (credit entry). This means I have two open line items and two cleared line items. I can clear the two open items again using F-44.
    I have two questions:
    1. What is the use of F-54 here since I have to use F-44 eventually?
    2. While doing F-54, Posting Key for the debit line item is 26 : Payment Difference. This is could not understand.
    Can anyone please help me out on this?
    Thanks in advance
    Aninda

    Dear Aninda ,
    I will explain you with following example.
    Recon account(Vendor)---3000000
    Advance to Vendor----
    4005000
    Exp a/c----
    7575100
    Bank a/c----
    5000100
    1. Advance to Vendor (spl gl -A)(F-48)
    Vendor a/c    (SPL-A)( GL- 4005000)        DR   1000
                      T0  Bank a/c (GL-5000100)                  1000
    2. Invoice posting
    Expenditure a/c ( GL-7575100) Dr      1000
         To  Vendor Account(GL-3000000)     1000
    3. Clear Vendor Down Payment (F-54)     
    Vendor  a/c (GL-3000000) DR                1000 (Posting key-26)
         To Vendor a/c (SPL-A)( GL- 4005000)          1000
    It means  Credited spl GL-A has converted from advance to Normal open item. Amount has been transferred from Advance to Vendor GL to Normal Recon account.By this way Advance account shows Nil  Balance with debit(F-48) and Credit (F-54)
    The remaining 2 line items i.e., Credit (F-43) and Debit (F-54) shows as open items. In the next step we need to knock off those line items by manual clearing or automatic clearing.
    4. Normal Clearing (F-44)
    It will be posted without line items.
    I hope i am able to help you out to understand process

  • Vendor down payment request over PO value

    Hi All,
    I have a requirement for vendor down payment request amount compare to PO value checking.
    I have PO with total value - 600 USD.
    When I create down payment request using F-47, I input amount 1000 USD.
    The system never show me any message.
    I want the SAP to block me from posting down payment request over PO value.
    I've read in the forum, to change message type F5373 with error type. But the message never appear in my F-47 screen.
    Anyone can help me, what am I missing here ?
    Thanks,

    Hi,
    You are right about message F5 373. But this is applicable at the time of the Payment of the Advance i.e. F-48. It is not available at the time of creating the Advance Payment Request against T Code F-47.
    If you want to have this control in the Payment Request, then you will have to use the validation, which you can put with the help of your abaper.
    Regards,
    Amit

  • Vendor down payment

    Hi,
    is it possible to pay vendor down payment with F-58 (not F-48) after dowing a request by F-47 ?
    what is the consequences of that, and what is the procedure that i must follow  ?
    i hope your help
    regards

    <b>I will explain with one example:</b>
    1 You have made a down payment of USD 10000 through F-48.
    2 You have received first invoice for USD 3000. First u have to match (clear) against your down payment using F-54. The balance will become now USD 7000.
    3 You are again posting another invoice for USD 5000.
    4 Carry out the step in 2 and the balance will be now USD 2000.
    5 Now you are posting another invoice for USD 5000.
    6 After clearing thorugh F-54 u will have a balance amount payable to the vendor will USD 3000.
    7 Now you can pay this amount either theorugh automatic payment program or thorugh F-58 to pay this amount. Hope this is clear to you now.

  • Vendor Down payment request

    Hi,
    I have 2 queries regarding vendor down payment request F-47
    1) Want to create DPR on header level (We have ECC.6 No enhancement package)
    2) When I create DPR on item level of more then item value it will stop me & show error but when ever I will create multiple request of same line item with actual amount or less amount (but more then actual amount in total) will be not stop me.
    I already active F5 373  message into error.
    Thanks,
    Farrukh khan

    Hi,
    You are getting this error becausea either you have giving more amount than the PO value or GRN and IV has already been created for this item.
    You are requested to do create DPR as per below given screen shots
    Press Enter
    Click on
    Hope, this solves your issue.
    Regards,
    Tejas

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